Boeing Company (BA)

BA · Industrials · United States United States

Boeing Company (BA) is a company in the Industrials sector, based in United States. The stock is held in 19 ETFs we track – with its largest weight of 2.37 % in CIND (dow-jones). Anyone holding one of these ETFs also owns a small indirect stake in Boeing Company.

Above-average ETF coverage: 19 of the 98 ETFs we cover hold Boeing Company, spread across 8 indices. That puts the stock in more ETFs than 80.9 % of the 4,338 stocks we cover.

Held in19 ETFs
Highest weight2.37 %
Indices8
SectorIndustrials
CountryUnited States
ISINUS0970231058
WKN850471

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Price chart

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Performance

Performance
Year to date-3.4 %1 year-2.8 %
1 month-7.2 %3 months-7.8 %
Calendar year 2025+22.7 %
52W

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Risk metrics

Max drawdown-28.3 %
Volatility p.a.35.8 %

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Correlated with

The strongest co-movers on top, the most inverse below. Low or negative values improve portfolio diversification.

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Key financials

Latest reported fiscal year (FY2025, period end 2025-12-31) as filed with the SEC.

Revenue89.5 bn $
Net income2.2 bn $
Diluted EPS2.48 $
Net margin2.5 %
Gross margin4.8 %
Return on equity41.0 %
Equity ratio3.2 %
Revenue growth+34.5 %
Revenue and profit by fiscal year
Fiscal yearRevenueNet incomeMargin
FY202377.8-2.2-2.9 %
FY202466.5-11.8-17.8 %
FY202589.52.22.5 %

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Figures in USD bn. Source: SEC EDGAR (XBRL annual filings, public domain). US-listed SEC filers only.

Held in these ETFs

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How much Boeing Company overlaps with other holdings in a portfolio is shown by the Portfolio X-Ray and the ETF overlap check.

Stocks with similar ETF exposure

Names that reach a portfolio through largely the same funds as Boeing Company — the figure counts the ETFs holding both.

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